Statements (17)
| Predicate | Object |
|---|---|
| gptkbp:instanceOf |
gptkb:economic_policy
|
| gptkbp:describes |
the observation that riskier firms tend to have lower, not higher, returns
|
| gptkbp:explains |
industry effects
managerial risk preferences organizational factors |
| gptkbp:field |
finance
strategic management |
| gptkbp:firstDescribed |
1980
|
| gptkbp:namedAfter |
gptkb:Edward_H._Bowman
|
| gptkbp:opposedBy |
traditional risk-return tradeoff
|
| gptkbp:publishedIn |
gptkb:Strategic_Management_Journal
|
| gptkbp:relatedTo |
gptkb:corporate_strategy
business performance risk-return relationship |
| gptkbp:bfsParent |
gptkb:Edward_H._Bowman
|
| gptkbp:bfsLayer |
7
|
| https://www.w3.org/2000/01/rdf-schema#label |
Bowman's Paradox
|